Diversification and risk control are key for investors in
search for yield. High yield, with low defaults and attractive credit quality,
could offer a solution. Aviva Investors’ focus on robust due diligence offers
potential for high yields with relatively low volatility.

1.
Given
the current economic and political landscape, tell us how you think about
diversification and asset allocation in a multi-strategy investing context and
how institutional investors ought to be thinking about it?
2.
How
important is asset allocation as compared with security&hellip;

Investors often
overreact to geopolitical shocks, selling assets quickly before assessing the
likely long-term impact. This can create opportunities for informed investors
who stay invested and/or exploit the investment opportunities created by market
uncertainty.